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The measurement of portfolio risk exposure : use of the beta coefficient / Frank B. Campanella

By: Campanella, Frank B.
Publisher: Massachusetts : Lexington Books , 1972Description: xvi, 125p. ; 22 cm.Subject(s): Investment | EconometricsDDC classification: 332.6
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Non-fiction 332.6 CAM (Browse shelf) C-01 Available 030980

Includes bibliographical references and index.

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Last Updated on April 2, 2019
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